ECOWLD | ECO WORLD DEVELOPMENT GROUP BERHAD

0.885 (1.14%)
Last updated: 11:51
Fundamental   3.3  
Technical   2.9  
Total Score   6.2  

 Insti+ 
ECOWLD | ECO WORLD DEVELOPMENT GROUP BERHAD




iSaham Fundamental Trend - ECOWLD

FCON: 0.56 | Sharpe Ratio: -0.45 | LTS: 4.53



Financial Ratios - ECOWLD



EPS 5.84 sen
Trailing PE (Sector Median: 10.6) 15.2
PEG 1.4
Altman Z 0.6
Beaver 0.031
Current Ratio 0.0
Debt-Equity (DE) Ratio 1.37
FCF Yield -0.01 %
Dividend Per Share (DPS) 0.0 sen
Revenue QoQ -12.84 %
Revenue YoY -27.9 %
Profit QoQ 25.86 %
Profit YoY 46.14 %
NTA QoQ 2.07 %
Profit Margin (Sector Median: 6.9) 8.23 %
ROE 3.82 %
ROIC 2.09 %
Dividend Yield (DY) 0.0 %

Support & Resistance

ATR Trailing Stop: 0.835

Support
Last Price
Resistance
Price 0.85 0.855 0.86 0.865 0.885 0.885 0.885 0.9 0.905 0.925 0.93
Volume (M) 9.3 7.1 11.1 6.9 12.3 12.3 8.7 5.7 10.9 12.2

Gann Support (EP/CL): 0.86/0.81 | Resistance (TP): 0.91/0.96

*Highlighted column shows significant volume at the support or resistance area.


Technical Trend


Moving Average Trend
Volume Trend


Trading Signalsbeta - ECOWLD

Based on iSaham Screeners

Moving Average (Short Term) BUY
Moving Average (Mid Term) SELL
Moving Average (Long Term) SELL
Ichimoku Kumo HOLD
Bollinger Band BUY (Breakout)
RSI BUY
Stochastic BUY
Heikin-Ashi BUY
MACD SELL
Solid MA Trend -
SAT HOLD
Sector Trend (Long Term) SELL
Sector Trend (Short Term) SELL
Institutional Holdings BUY
Beat The Insti BUY
Magic Formula SELL
Better Than ASB -
52-Week High -
BTST -
T+ -
Candlestick -
Chart Pattern -

Please be fully informed regarding the risks and costs associated with trading in the stock markets. Any trade you made must be followed by your own judgement and analysis. Please read our risk disclosure for more info.

Fair Value

iSaham Fair Value: 0.645

Discounted Cash Flow (DCF)5.0% Growth 0.485
Discounted Cash Flow (DCF)11.5% Growth 0.675
Relative Valuation 0.615
Graham Formula 0.44
Graham Number 1.38
Net Tangible Asset (NTA) 1.48


Advanced Calculators

Calculate the fair value of the stock based on expected growth / risk, contract / award value, forecasted profit or forecasted revenue.

Growth/Risk Fair Value Calculator
Expected growth (%)
Estimated downside / risk (%)
Estimated New DCF Fair Value
Contract/Award Contribution Calculator
Contract/Award Value (in Million)
Estimated Contribution to Stock Price
Estimated New DCF Fair Value
Profit-Based Calculator
Expected Profit (M)
for Year
Estimated New DCF Fair Value
Revenue-Based Calculator
Expected Revenue (M)
for Year
Estimated New DCF Fair Value
Market Pricing
Expected Profit (M) 401.82
Expected Revenue (M) 5238.82
Expected Growth (%) 18.0


Summary

Market Cap: 2605 M.

Number of Shares: 2944 M.

Float: 24.22%.

Stock highly correlated with

PUNCAK (96%)

AEMULUS (94%)

AMFIRST (94%)

POS (94%)

Eco World Development Group Bhd, an investment holding company, is engaged in the investment and development of properties in Malaysia. It operates in two segments, Property Development and Investment Holding. The Property Development segment is involved in the development of residential and commercial properties. The Investment Holding segment is engaged in the management and operations of buildings. The company is based in Johor Bahru, Malaysia.

Code: 8206

Website: http://ecoworld.my/

Related Links: Bursa | Analyst Report | Annual Report | Announcement

AGM Doorgift: Hotel Buffett Lunch (2016) | AGM Announcement

Top Shareholdings

Shareholder Value (M)
Sinarmas Harta Sdn Bhd 858.38
Liew Tian Xiong 444.95
Eco Development Holdings Sdn Bhd 270.43
Employees Provident Fund Board 122.23
Eco World Development Holdiongs Sdn Bhd 103.1
Sigma Seleksi Sdn Bhd 74.25
Amanah Saham Bumiputera 62.5
Maybank Investment Bank Berhad 62.3
Kumpulan Wang Persaraan (Diperbadankan) 49.35
Public Ittikal Fund 35.4
Nik Sazlina Binti Mohd Zain 23.87
Great Eastern Life Assurance (Malaysia) Berhad 23.69
How Teng Teng 17.7
Yayasan Hasanah 14.97
Voon Tin Yow 11.51
Amanah Saham Malaysia 10.01
Public Islamic Select Treasures Fund 9.31
Vanguard Total International Stock Index Fund 8.83